000 01041nam a2200205Ia 4500
008 140223b2010 xxu||||| |||| 00| 0 eng d
020 _a9780558160289
_c0.00
082 _a658.403
_bCFA
245 _aDerivatives and Portfolio Management: Program Curriculum Level 2 Vol. - 6
260 _aBoston
_bPearson Custom Publishing
_c2010
300 _a586p
500 _av. 1. Ethical and professional standards, quantitative methods, and economics v. 2. Financial reporting and analysis v. 3. Corporate finance v. 4. Asset valuation and equity v. 5. Alternative asset valuation and fixed income v. 6. Derivatives and portfolio management.
600 _aInvestment
600 _aInvestment Advisors
600 _aInvestments -- United States -- Examinations -- Study Guides
600 _aPortfolio Management
600 _aSecurities
890 _aUK
995 _ACFA
_D0.00
_E0
_F049
_H0
_I0.00
_JGratis by Abhishek Mandhania (MBA - FT 2009-11)
_UC
_W20130827
_XGratis
_ZReference
999 _c80676
_d80676